
Investment Risk Manager
at HSBC
Posted 7 hours ago
No clicks
- Compensation
- Not specified
- City
- Country
- Not specified
Currency: Not specified
**Investment Risk Manager** sought to analyze market risk, manage portfolio exposures, and interpret financial regulation for investment funds. Duties require evaluating risk/return trade-offs, executing risk-mitigation strategies, and reporting to senior management. Essential skills include advanced knowledge of risk management principles, proficiency in **RiskMetrics** and **Bloomberg Terminal**, and strong statistical analysis skills. Minimum 5-year experience in investment risk management. CFA charter or equivalent preferred.
No additional description provided.
